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    <title>FP Apollo Multi Asset Balanced GBP A Acc | Apollo Multi Asset Management | Fund Fact Sheet | Citywire</title>

    
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            <h1 class="factsheet-title factsheet-title--fund" itemprop="name" >FP Apollo Multi Asset Balanced GBP A Acc</h1>
    				<div class="factsheet-header__asset-sector">Ranked 138 out of 390 in - 
    				<strong><a href='/sector/balanced-gbp-funds/i2706/?periodMonths=12&amp;page=1'>Balanced GBP</a></strong>
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The fund seeks to achieve a positive return over the medium to longer term, which is in excess of normal cash deposit rates.                </p>
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                <span class="factsheet-performance__component-name">Balanced GBP</span>
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                                <strong>138</strong><span class="isMeta">/390</span></span>
                            <span class="rankTypeBlock__rankType">Total Return</span>
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                            <span class="rankTypeBlock__rankType">Standard Deviation</span>
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                            <span class="rankTypeBlock__rank"><span class="isMeta">Rank</span>
                                <strong>251</strong><span class="isMeta">/390</span></span>
                            <span class="rankTypeBlock__rankType">Max Drawdown</span>
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                            <th class="rankingTable__headerLabel">
                            </th>
                            <th class="rankingTable__headerLabel">Fund Name
                            </th>
                            <th class="rankingTable__headerLabel">Currency
                            </th>
                            <th class="rankingTable__headerLabel" style="text-align: right">Return
                            </th>
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                    </thead>
                    <tbody>
                            <tr>
                                <td class=" rankingTable__rank">137
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/fidelity-multi-asset-growth-acc/c253818?periodMonths=12" class="rankingTable__link">Fidelity Multi Asset Growth Acc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">14.3%</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class="secondQuartile rankingTable__activeRow rankingTable__rank">138
                                </td>
                                <td class="secondQuartile rankingTable__activeRow rankingTable__name">
                                    <a href="/fund/fp-apollo-multi-asset-balanced-gbp-a-acc/c238766?periodMonths=12" class="rankingTable__link">FP Apollo Multi Asset Balanced GBP A Acc</a>
                                </td>
                                <td class="secondQuartile rankingTable__activeRow">GBP</td>
                                <td class="secondQuartile rankingTable__activeRow rankingTable__result">        <h4 class="">14.3%</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class=" rankingTable__rank">138
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/thesis-motim-acc/c244103?periodMonths=12" class="rankingTable__link">Thesis Motim Acc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">14.3%</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class=" rankingTable__rank">140
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/svs-tpi-balanced-1-a-acc/c556276?periodMonths=12" class="rankingTable__link">SVS TPI Balanced 1 A Acc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">14.2%</h4>

                                </td>
                            </tr>
                    </tbody>
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                            <td colspan="4" class="rankingTable__footer">
                                    <a class="rankingTable__footer-link" href='/sector/balanced-gbp-funds/i2706/?periodMonths=12&amp;page=1&amp;expandedList=true'>
                                        <i class="fa fa-list"></i>View full league table</a>
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            <!-- // TOTAL RETURN -->
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                            </th>
                            <th class="rankingTable__headerLabel">Fund Name
                            </th>
                            <th class="rankingTable__headerLabel">Currency
                            </th>
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                            <tr>
                                <td class=" rankingTable__rank">167
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/fp-russell-investments-multi-asset-income-a-acc/c410614?periodMonths=12" class="rankingTable__link">FP Russell Investments Multi Asset Income A Acc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">5.4</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class="secondQuartile rankingTable__activeRow rankingTable__rank">168
                                </td>
                                <td class="secondQuartile rankingTable__activeRow rankingTable__name">
                                    <a href="/fund/fp-apollo-multi-asset-balanced-gbp-a-acc/c238766?periodMonths=12" class="rankingTable__link">FP Apollo Multi Asset Balanced GBP A Acc</a>
                                </td>
                                <td class="secondQuartile rankingTable__activeRow">GBP</td>
                                <td class="secondQuartile rankingTable__activeRow rankingTable__result">        <h4 class="">5.5</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class=" rankingTable__rank">168
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/premier-multi-asset-monthly-income-c-inc/c231062?periodMonths=12" class="rankingTable__link">Premier Multi-Asset Monthly Income C Inc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">5.5</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class=" rankingTable__rank">170
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/sanlam-accel-income-a-net-income/c411483?periodMonths=12" class="rankingTable__link">Sanlam Accel Income A Net Income</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">5.5</h4>

                                </td>
                            </tr>
                    </tbody>
                    <tfoot>
                        <tr>
                            <td colspan="4" class="rankingTable__footer">
                                    <a class="rankingTable__footer-link" href='/sector/balanced-gbp-funds/i2706/?periodMonths=12&amp;page=1&amp;sortBy=standarddeviation&amp;expandedList=true'>
                                        <i class="fa fa-list"></i>View full league table</a>
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            <!-- // STANDARD DEVIATION -->
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                            <th class="rankingTable__headerLabel">
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                            <th class="rankingTable__headerLabel">Fund Name
                            </th>
                            <th class="rankingTable__headerLabel">Currency
                            </th>
                            <th class="rankingTable__headerLabel" style="text-align: right">Loss
                            </th>
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                    </thead>
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                            <tr>
                                <td class=" rankingTable__rank">249
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/polar-capital-income-opportunities-a2-ret-acc/c248877?periodMonths=12" class="rankingTable__link">Polar Capital Income Opportunities A2 Ret Acc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">-2.1%</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class=" rankingTable__rank">249
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/omnis-multi-manager-cautious-b-acc/c215604?periodMonths=12" class="rankingTable__link">Omnis Multi-Manager Cautious B Acc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">-2.1%</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class="thirdQuartile rankingTable__activeRow rankingTable__rank">251
                                </td>
                                <td class="thirdQuartile rankingTable__activeRow rankingTable__name">
                                    <a href="/fund/fp-apollo-multi-asset-balanced-gbp-a-acc/c238766?periodMonths=12" class="rankingTable__link">FP Apollo Multi Asset Balanced GBP A Acc</a>
                                </td>
                                <td class="thirdQuartile rankingTable__activeRow">GBP</td>
                                <td class="thirdQuartile rankingTable__activeRow rankingTable__result">        <h4 class="">-2.1%</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class=" rankingTable__rank">251
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/legal-and-general-distribution-r-acc/c25197?periodMonths=12" class="rankingTable__link">Legal &amp; General Distribution R Acc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">-2.1%</h4>

                                </td>
                            </tr>
                            <tr>
                                <td class=" rankingTable__rank">251
                                </td>
                                <td class=" rankingTable__name">
                                    <a href="/fund/buxton-inc/c97766?periodMonths=12" class="rankingTable__link">Buxton Inc</a>
                                </td>
                                <td class="">GBP</td>
                                <td class=" rankingTable__result">        <h4 class="">-2.1%</h4>

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            <!-- // MAX DRAWDOWN -->
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        <!-- // RANKING TABLES -->
        <!-- //PERFORMANCE -->
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        <div class="factsheet-block factsheet-totalreturn totalReturns">
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        <!-- // TOTAL RETURN LINE CHART -->
        <!-- DISCRETE PERFORMANCE TABLE -->
        <div class="factsheet-block factsheet-quarterly">
            <h4 class="factsheet-block__title factsheet-quarterly__title">Quarterly Performance</h4>
            <table class="factsheet-quarterly__table">
                <thead>
                    <th class="align-left">to 31/03/2017
                    </th>
                    <th class="align-right">Annual
                    </th>
                    <th class="align-right">Q1
                    </th>
                    <th class="align-right">Q2
                    </th>
                    <th class="align-right">Q3
                    </th>
                    <th class="align-right">Q4
                    </th>
                </thead>
                <tbody>
                        <tr>
                            <td class="align-left year">2017
                            </td>
                                <td class="null"></td>
                                    <td class="isPositive">5.8%</td>

                                    <td class="null"></td>

                                    <td class="null"></td>

                                    <td class="null"></td>

                        </tr>
                        <tr>
                            <td class="align-left year">2016
                            </td>
        <td class="isPositive">4.6%</td>
                                    <td class="isNegative">-2.2%</td>

                                    <td class="isNegative">-3.2%</td>

                                    <td class="isPositive">6.6%</td>

                                    <td class="isPositive">3.6%</td>

                        </tr>
                        <tr>
                            <td class="align-left year">2015
                            </td>
        <td class="isPositive">3.8%</td>
                                    <td class="isPositive">5.1%</td>

                                    <td class="isNegative">-0.8%</td>

                                    <td class="isNegative">-4.9%</td>

                                    <td class="isPositive">4.6%</td>

                        </tr>
                        <tr>
                            <td class="align-left year">2014
                            </td>
        <td class="isPositive">1.4%</td>
                                    <td class="isPositive">0.0%</td>

                                    <td class="isNegative">-0.1%</td>

                                    <td class="isNegative">-0.1%</td>

                                    <td class="isPositive">1.6%</td>

                        </tr>
                        <tr>
                            <td class="align-left year">2013
                            </td>
        <td class="isPositive">6.6%</td>
                                    <td class="isPositive">7.3%</td>

                                    <td class="isNegative">-3.9%</td>

                                    <td class="isPositive">3.5%</td>

                                    <td class="isNegative">-0.1%</td>

                        </tr>
                        <tr>
                            <td class="align-left year">2012
                            </td>
        <td class="isPositive">5.2%</td>
                                    <td class="isPositive">5.7%</td>

                                    <td class="isNegative">-5.7%</td>

                                    <td class="isPositive">2.8%</td>

                                    <td class="isPositive">2.7%</td>

                        </tr>
                        <tr>
                            <td class="align-left year">2011
                            </td>
        <td class="isNegative">-9.3%</td>
                                    <td class="isNegative">-0.1%</td>

                                    <td class="isPositive">0.2%</td>

                                    <td class="isNegative">-8.8%</td>

                                    <td class="isNegative">-0.5%</td>

                        </tr>
                        <tr>
                            <td class="align-left year">2010
                            </td>
        <td class="isPositive">8.5%</td>
                                    <td class="isPositive">5.7%</td>

                                    <td class="isNegative">-4.0%</td>

                                    <td class="isPositive">3.4%</td>

                                    <td class="isPositive">3.4%</td>

                        </tr>
                        <tr>
                            <td class="align-left year">2009
                            </td>
        <td class="isPositive">14.9%</td>
                                    <td class="isNegative">-0.7%</td>

                                    <td class="isPositive">7.1%</td>

                                    <td class="isPositive">7.4%</td>

                                    <td class="isPositive">0.7%</td>

                        </tr>
                </tbody>
            </table>
        </div>
        <!-- // DISCRETE PERFORMANCE TABLE -->
        <!-- DISCRETE PERFORMANCE -->
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        <!-- // DISCRETE PERFORMANCE -->  
        <!-- RETURNS VS RISK SCATTER CHART -->
        <div class="factsheet-block factsheet-returnsvsrisk">
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                <!-- Risk Vs Returns Chart goes here -->
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        <!-- // RETURNS VS RISK SCATTER CHART -->  
        <!-- ASSET ALLOCATION AND TOP 10 HOLDINGS -->
        <div class="factsheet-block factsheet-assetallocation">
            <h3 class="factsheet-block__title">Asset Allocation</h3>
                <div class="factsheet-block__col-2">
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                    <div class="jsHideOnReflow" id="assetAllocationChart">
                        <!-- Donut Chart goes here -->
                    </div>
                    <span class="sz-xs co-light">31/03/2017</span>
                </div>
            <div class="factsheet-block__col-2 factsheet-block__col--last">
                <h4 class="factsheet-block__col-title">Top 10 Holdings</h4>
                <table class="factsheet-assetallocation__table">
                    <thead>
                        <th>Stock
                        </th>
                        <th>Size
                        </th>
                    </thead>
                    <tbody>
                            <tr>
                                <td>Macau Property Opportunities Fund Limited
                                </td>
                                <td>6.60
                                </td>
                            </tr>
                            <tr>
                                <td>Henderson UK Absolute Return GBP I Acc
                                </td>
                                <td>5.56
                                </td>
                            </tr>
                            <tr>
                                <td>Hermes Asia ex Japan Equity F GBP Acc
                                </td>
                                <td>5.11
                                </td>
                            </tr>
                            <tr>
                                <td>Kames Property Income B Net Acc GBP
                                </td>
                                <td>5.11
                                </td>
                            </tr>
                            <tr>
                                <td>SG ISSUER SA, LUXEMBOURG 0.000% 12-Oct-2021
                                </td>
                                <td>4.73
                                </td>
                            </tr>
                            <tr>
                                <td>Credit Suisse AG (London Branch) 0.000% 07-Jun-2021
                                </td>
                                <td>4.71
                                </td>
                            </tr>
                            <tr>
                                <td>GAM Star Credit Opportunities (GBP) Inst GBP Acc
                                </td>
                                <td>4.68
                                </td>
                            </tr>
                            <tr>
                                <td>GAM Star Continental European Eq Inst GBP Acc
                                </td>
                                <td>4.48
                                </td>
                            </tr>
                            <tr>
                                <td>Royal London Shrt Dur Glo Hi Yield Bd Z Inc
                                </td>
                                <td>4.29
                                </td>
                            </tr>
                            <tr>
                                <td>Polar Capital Global Technology I GBP
                                </td>
                                <td>4.28
                                </td>
                            </tr>
                    </tbody>
                </table>
                <span class="sz-xs co-light">28/02/2017</span>
            </div>
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        <!-- // ASSET ALLOCATION AND TOP 10 HOLDINGS -->
        <!-- START: REGISTRED FOR SALE -->              
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                    <li class="factsheet-country__list-item">United Kingdom</li>    
            </ol>
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        <!-- // REGISTRED FOR SALE -->
        <!-- START: FUND INFORMATION -->
        <div class="factsheet-block factsheet-fundinfo">
            <div class="factsheet-block__col-3">
                <h3 class="factsheet-block__col-title">Fund Info</h3>
                <ul class="factsheet-fundinfo__list">
                    <li class="factsheet-fundinfo__item">Launch date<span class="factsheet-fundinfo__item-value">26/11/2008</span></li>
                        <li class="factsheet-fundinfo__item">Share Class size<span class="factsheet-fundinfo__item-value">04<acronym
                            title="Million">Mn</acronym></span></li>
                    <li class="factsheet-fundinfo__item">Base currency<span
                        class="factsheet-fundinfo__item-value">GBP</span></li>
                        <li class="factsheet-fundinfo__item">
                            <accronym title="International Security Investment Number">ISIN</accronym>
                            <span class="factsheet-fundinfo__item-value">GB00B3FPDZ62</span></li>
                </ul>
            </div>
            <div class="factsheet-block__col-3">
                <h3 class="factsheet-block__col-title">Purchase Info</h3>
                <ul class="factsheet-fundinfo__list">
                    <li class="factsheet-fundinfo__item">Min. initial investment<span
                        class="factsheet-fundinfo__item-value">100,000</span></li>
                    <li class="factsheet-fundinfo__item">Min. regular additional investment<span
                        class="factsheet-fundinfo__item-value">10,000</span></li>
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                <ul class="factsheet-fundinfo__list">
                        <li class="factsheet-fundinfo__item">Annual management<span
                            class="factsheet-fundinfo__item-value">1.50%</span></li>
                        <li class="factsheet-fundinfo__item">Initial investment<span
                            class="factsheet-fundinfo__item-value">5</span></li>
                </ul>
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</div>
        <!-- // RELATED NEWS -->
    <!-- PERFORMANCE FOOTNOTE -->
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